AMC Networks Financial Ratios for Analysis 2009-2024 | AMCX

Fifteen years of historical annual and quarterly financial ratios and margins for AMC Networks (AMCX).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.721.671.892.212.902.462.511.781.831.823.151.662.531.68-
0.680.770.760.810.810.900.951.001.001.151.361.691.820.98-
2.203.293.144.434.539.0119.09-1,739.13-312.71-7.97-3.80-2.46-2.2245.06-
51.0551.0553.4750.2150.7651.3552.2053.5555.9454.7958.4062.4864.1466.0568.12
14.322.8115.9215.7220.4324.4625.7523.8627.4825.1136.5726.8327.4925.9524.41
14.322.8115.9215.7220.4324.4625.7523.8627.4825.1136.5726.8327.4925.9524.41
52.7640.1949.7353.5556.5660.7164.0659.1960.6758.1672.6360.8762.4158.9057.10
10.92-0.9712.1614.2915.8920.8722.8216.5122.5818.2529.4616.4317.7319.1316.33
7.950.258.148.5312.4315.0116.809.8214.2111.9918.2610.0910.657.435.52
0.550.550.540.540.550.560.560.620.610.550.600.520.540.58-
---------------
4.084.293.773.463.573.563.623.933.803.684.154.404.064.32-
89.4285.1396.7110510210310192.8795.9899.2087.9682.9789.8484.47-
18.751.2931.0039.9658.96134299-17,637.31-4,418.89-76.12-50.77-15.44-12.19476-
-12.40-0.58-14.44-14.91-25.92-20.66-21.13-12.87-16.44-10.16-16.96-6.97-5.77-11.36-
4.050.204.874.907.298.799.736.478.986.7811.005.255.796.38-
5.980.307.557.5210.9313.5114.8811.0215.0211.4818.1610.6010.0110.85-
24.6519.8521.3015.5112.456.142.68-0.02-0.12-4.89-7.91-12.19-14.41--
4.644.163.3014.478.4810.295.887.105.065.16-0.687.883.613.852.95
3.843.152.3213.576.888.774.666.014.124.61-1.017.623.393.602.77

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-31
2.322.131.851.721.461.341.741.671.771.881.891.892.242.082.572.212.432.382.172.902.712.652.662.462.512.462.642.512.571.551.711.781.991.992.311.831.841.811.761.822.042.112.203.152.912.791.841.662.372.492.542.532.762.80-----
0.670.680.670.680.680.690.740.770.730.730.740.760.760.780.800.810.800.810.820.810.820.840.860.900.910.940.920.950.970.980.981.000.950.960.961.001.041.071.121.151.171.171.211.361.391.461.611.691.711.741.811.821.831.84-----
2.042.202.122.202.582.692.903.292.692.792.903.143.193.623.934.433.984.284.544.534.745.476.429.0110.7416.0211.9919.0937.5947.6147.28-1,739.1320.7525.6425.58-312.71-29.25-16.35-9.51-7.97-7.19-7.04-5.79-3.80-3.55-3.19-2.63-2.46-2.41-2.35-2.25-2.22-2.21-2.19-----
52.0155.1554.4741.9755.2752.5654.4636.5056.9655.8660.0945.9553.3456.0759.4443.4548.9656.2953.1545.7250.6050.0756.6347.9450.2950.5156.7647.0550.2052.8758.5450.4646.6255.3961.1852.5553.6456.7960.7953.7651.3955.5658.6046.9660.2763.7164.2256.7760.9665.0967.8457.7466.0467.1666.87-67.6567.51-
15.621.7218.47-1.6918.9715.5824.16-40.6022.1020.7624.537.9223.238.8524.5310.4321.337.5523.555.3123.4422.0531.2217.7423.6225.1631.5422.2223.6624.7432.1714.2018.4626.0036.6323.6225.1926.4234.5126.0921.2224.8028.1419.5230.9665.2033.3822.0026.1630.0029.7423.3433.2728.1825.90-28.3427.55-
15.621.7218.47-1.6918.9715.5824.16-40.6022.1020.7624.537.9223.238.8524.5310.4321.337.5523.555.3123.4422.0531.2217.7423.6225.1631.5422.2223.6624.7432.1714.2018.4626.0036.6323.6225.1926.4234.5126.0921.2224.8028.1419.5230.9665.2033.3822.0026.1630.0029.7423.3433.2728.1825.90-28.3427.55-
-----------------------------------------------------------
11.06-3.4213.59-4.1314.3812.4220.66-43.9117.3716.6621.375.0319.646.9917.4418.9818.384.1714.593.1918.3617.1725.0712.8923.0118.7729.3517.3220.2123.6229.958.8813.9617.9325.2820.0619.0223.0328.1020.0312.9218.5321.1813.4523.4657.8925.708.2517.0620.8520.5514.2022.1016.0519.37-21.6920.48-
7.09-4.677.68-3.219.9610.3514.44-27.4412.4211.3014.632.1213.654.6512.5812.149.422.319.35-1.0916.2716.6718.299.3015.9713.9521.1820.0213.4314.4418.911.9910.3011.2716.0613.2711.5113.8118.0812.7410.2311.2313.618.1314.7035.7816.114.1411.0412.6713.248.7014.099.3010.93-9.318.50-
0.120.130.120.140.120.120.130.170.120.130.120.140.150.140.130.150.120.120.140.140.130.140.140.150.140.150.140.140.130.160.160.160.140.150.150.160.150.150.170.150.140.140.150.170.160.150.150.140.150.150.150.160.130.14-----
-----------------------------------------------------------
0.930.970.951.020.971.031.021.340.980.990.920.991.050.960.890.960.850.810.890.920.890.920.950.920.900.930.930.940.910.951.001.040.980.941.031.001.100.981.001.031.071.000.981.131.231.191.181.191.261.101.121.161.171.18-----
97.2092.4994.9288.0892.9387.5988.1567.3991.8990.7897.7291.3185.6594.2110193.8410611110198.2510197.6995.2297.3510096.7896.3796.0698.9894.3889.6686.4991.8495.5487.6589.9681.9391.4890.3787.3284.3990.0191.7279.3273.0975.7476.0275.4671.1982.0780.1377.6276.7576.43-----
4.04-2.985.18-3.716.275.9711.48-32.738.578.8711.312.6613.335.4413.1315.278.802.5511.540.0518.8223.5730.9922.1440.0056.4661.4890.61109187240-1,158.3148.3671.85102-1,049.85-82.29-51.93-42.88-23.20-13.93-15.19-15.05-6.12-9.47-19.96-7.45-1.72-3.99-4.32-4.29-2.82-3.78-2.46-----
-3.292.16-3.762.46-4.08-3.44-5.8814.65-4.31-4.53-5.62-1.24-6.26-2.28-5.47-5.70-4.11-0.96-3.79-0.02-7.17-7.07-7.37-3.40-5.73-4.99-7.37-6.41-3.91-4.63-6.61-0.85-3.08-3.71-5.43-3.91-3.26-3.52-4.94-3.10-2.21-2.44-2.88-2.04-3.32-7.42-3.34-0.78-1.81-1.99-2.01-1.34-1.82-1.21-----
0.96-0.661.17-0.801.261.142.04-4.961.551.551.920.422.160.781.811.871.260.321.380.012.192.412.721.452.262.173.142.951.862.403.190.431.461.792.572.131.842.133.132.071.481.632.071.332.305.522.400.591.701.912.031.341.901.28-----
1.33-0.941.69-1.181.991.832.98-7.692.352.362.930.653.201.182.672.871.800.492.120.013.323.684.212.233.423.324.744.522.834.245.450.722.392.924.063.573.073.545.323.502.312.563.172.193.729.124.581.182.853.213.462.323.142.08-----
26.0424.5425.1324.6524.8823.9122.3119.8524.4323.6122.7621.3021.0418.5617.0915.5114.8412.9712.0912.4511.7910.208.536.145.163.434.362.681.330.890.88-0.021.971.611.62-0.12-1.29-2.33-4.09-4.89-5.38-5.49-6.64-7.91-8.47-9.41-11.43-12.19-12.77-13.38-14.01-14.41-14.83-15.41-----
5.655.743.384.642.980.57-3.024.160.840.39-0.543.301.013.022.4914.4712.178.053.548.487.075.042.9710.298.174.771.905.884.242.492.117.105.913.132.285.064.112.601.105.163.592.441.03-0.68-1.02-1.93-0.527.883.102.291.073.612.801.720.700.002.811.910.00
5.225.383.233.842.330.08-3.293.150.07-0.10-0.802.320.322.592.2913.5711.517.633.316.885.854.182.598.777.114.131.704.663.291.891.816.015.302.802.124.123.442.150.854.613.262.180.94-1.01-1.27-2.12-0.637.622.912.201.033.392.701.660.68-2.711.88-